The First of Long Island Corporation (FLIC)
NASDAQ: FLIC · Real-Time Price · USD
12.40
+0.18 (1.47%)
Dec 20, 2024, 4:00 PM EST - Market closed

FLIC Dividend Information

FLIC has an annual dividend of $0.84 per share, with a yield of 6.77%. The dividend is paid every three months and the last ex-dividend date was Oct 11, 2024.

Dividend Yield
6.77%
Annual Dividend
$0.84
Ex-Dividend Date
Oct 11, 2024
Payout Frequency
Quarterly
Payout Ratio
95.42%
Dividend Growth
n/a
Buyback Yield
-0.03%
Shareholder Yield
6.75%

Dividend History

Ex-Div Date AmountDeclaration DateRecord DatePay Date
Oct 11, 2024$0.210Oct 1, 2024Oct 11, 2024Oct 21, 2024
Jul 10, 2024$0.210Jun 28, 2024Jul 10, 2024Jul 18, 2024
Mar 12, 2024$0.210Feb 29, 2024Mar 13, 2024Mar 21, 2024
Dec 29, 2023$0.210Dec 15, 2023Jan 2, 2024Jan 11, 2024
Oct 10, 2023$0.210Sep 29, 2023Oct 11, 2023Oct 19, 2023
Jul 11, 2023$0.210Jun 30, 2023Jul 12, 2023Jul 20, 2023
Mar 15, 2023$0.210Mar 3, 2023Mar 16, 2023Mar 24, 2023
Dec 30, 2022$0.210Dec 16, 2022Jan 3, 2023Jan 12, 2023
Oct 11, 2022$0.210Sep 30, 2022Oct 12, 2022Oct 21, 2022
Jul 13, 2022$0.200Jul 1, 2022Jul 14, 2022Jul 22, 2022
Mar 15, 2022$0.200Mar 4, 2022Mar 16, 2022Mar 24, 2022
Jan 4, 2022$0.200Dec 17, 2021Jan 5, 2022Jan 14, 2022
Oct 7, 2021$0.200Sep 24, 2021Oct 8, 2021Oct 18, 2021
Jul 7, 2021$0.190Jun 25, 2021Jul 8, 2021Jul 16, 2021
Mar 9, 2021$0.190Feb 25, 2021Mar 10, 2021Mar 19, 2021
Jan 8, 2021$0.190Dec 18, 2020Jan 11, 2021Jan 21, 2021
Oct 9, 2020$0.190Sep 24, 2020Oct 13, 2020Oct 22, 2020
Jul 8, 2020$0.180Jun 25, 2020Jul 9, 2020Jul 20, 2020
Mar 16, 2020$0.180Mar 6, 2020Mar 17, 2020Mar 27, 2020
Jan 7, 2020$0.180Dec 20, 2019Jan 8, 2020Jan 20, 2020
Oct 8, 2019$0.180Sep 26, 2019Oct 9, 2019Oct 18, 2019
Jul 11, 2019$0.170Jun 27, 2019Jul 12, 2019Jul 22, 2019
Mar 11, 2019$0.170Mar 1, 2019Mar 12, 2019Mar 20, 2019
Jan 2, 2019$0.170Dec 21, 2018Jan 3, 2019Jan 14, 2019
Oct 9, 2018$0.170n/an/an/a
Jul 9, 2018$0.150Jun 29, 2018Jul 10, 2018Jul 19, 2018
Mar 15, 2018$0.150Mar 2, 2018Mar 16, 2018Apr 4, 2018
Dec 28, 2017$0.150Dec 18, 2017Dec 29, 2017Jan 10, 2018
Oct 10, 2017$0.150Sep 29, 2017Oct 11, 2017Oct 20, 2017
Jul 6, 2017$0.140Jun 30, 2017Jul 10, 2017Jul 18, 2017
Mar 15, 2017$0.140Mar 6, 2017Mar 17, 2017Apr 3, 2017
Dec 29, 2016$0.140Dec 21, 2016Jan 3, 2017Jan 13, 2017
Oct 3, 2016$0.140Sep 21, 2016Oct 5, 2016Oct 14, 2016
Jun 30, 2016$0.13333Jun 22, 2016Jul 5, 2016Jul 15, 2016
Mar 16, 2016$0.13333Mar 1, 2016Mar 18, 2016Apr 4, 2016
Dec 24, 2015$0.13333Dec 15, 2015Dec 29, 2015Jan 8, 2016
Sep 28, 2015$0.13333Sep 16, 2015Sep 30, 2015Oct 9, 2015
Jun 29, 2015$0.12667Jun 17, 2015Jul 1, 2015Jul 10, 2015
Mar 16, 2015$0.12667Feb 26, 2015Mar 18, 2015Apr 1, 2015
Jan 5, 2015$0.12667Dec 17, 2014Jan 7, 2015Jan 16, 2015
* Dividend amounts are adjusted for stock splits when applicable.

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